The records for common-area maintenance reconciliation rarely arrive in one place or at one time. A reliable packet connects the tenant lease abstract, property budget, vendor invoices, allocation workbook, occupancy schedule, monthly billings, tenant credits, and property ledger. Posting the final bank amount alone removes the evidence needed to explain timing, fees, adjustments, ownership, and unresolved differences.
Authoritative background includes FASB leases implementation resources and EPA commercial buildings resources. These sources inform the workflow but do not replace the company’s contract, accounting policy, jurisdiction-specific rules, or professional advice. Record the source version and access date when a changing rule affects the procedure.